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Why isn’t the NAV date updated in my Mutual Fund portfolio?
Mutual Fund NAV (Net Asset Value) is calculated after the trading day ends. You’ll usually see the updated NAV and date in your Portfolio by 3 PM, as per SEBI regulations.
Still have questions?
Where can I check my Mutual Fund holdings? / Where can I check my MF holdings? / Where can I check my Mutual Fund Portfolio?
I have redeemed my Mutual Fund, when will I receive my money in bank?
How much time will it take for my MF order to reflect in Portfolio?
How do I transfer Mutual Funds from one broker to another?
Open Demat Account
Open Demat Account